
martinndungu38
About me
1.Overseeing financial operations, including budgeting, forecasting, and financial reporting.
2.Developing financial strategies and plans to support the organization’s growth objectives.
3.Managing cash flow and liquidity to ensure the company’s financial stability.
4.Analyzing financial data and providing insights to senior management
for decision-making.
5.Monitoring and managing investment portfolios to optimize returns and minimize risks.
6.Collaborating with internal and external stakeholders, including investors, auditors, and regulatory agencies.
7.Improved cash flow management and enhanced financial stability. 8.Developed and executed a comprehensive financial strategy that supported the company’s expansion into new markets.
9.Implemented a new financial reporting system, resulting in streamlined processes and improved accuracy in financial reporting.
10.Achieved significant ROI on investment portfolios through strategic asset allocation and portfolio diversification.